Associate Director, Treasury
NSF International
The Associate Director, Treasury is a strategic finance leader responsible for advancing the organization's treasury capabilities and supporting enterprise financial objectives. This role partners with senior leadership to develop and implement strategies related to treasury operations, liquidity management, cash optimization, financial risk management, banking relationships, and transformation initiatives. The Associate Director leads cross-functional efforts to improve treasury processes, enhance financial flexibility, strengthen governance, and create scalable solutions that support the organization's growth and evolving business needs.With a legacy spanning more than 80 years, NSF leverages science and innovation to improve human and planet health. We provide science-driven, independent testing, inspection, certification, and advisory services and develop the very standards that drive the food, water, and life sciences industries worldwide. We empower our clients to navigate shifting regulations to improve consumer health, safety, and quality of life.One of our core values is We Are One NSF. This means that while we’re one team, we embrace the cultural, ethnic, language, and demographic diversity that reflects the societies in which we live and work.Come join a team that makes a difference in the world. More information about NSF can be found at nsf.org.NSF is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to, among other things, race, color, religion, sex, sexual orientation, gender identity, national origin, age, status as a protected veteran, or disability.Notice to Agency and Search Firm Representatives: Please note that NSF is not accepting unsolicited resumes from agencies/search firms for this role. Resumes submitted to an NSF employee by a third-party agency without a valid written & signed search agreement between NSF and said third-party agency will become the sole property of NSF. No fee will be paid if a candidate is hired as a result of an unsolicited agency or search firm referral. Thank you.We are the guardians of NSF’s assets. We are the keepers and providers of accurate and useful financial information which empowers careful and rational decision making. We do this so NSF may better advance its public health and safety mission.Bachelor's degree in Finance, Accounting, Economics, or related field required; MBA preferred.10+ years of progressive Treasury, Corporate Finance, Cash Management, or related experience.Certified Treasury Professional (CTP) designation preferred.Demonstrated experience leading FX hedging, interest rate risk management, banking optimization, and liquidity management initiatives.Experience leading treasury transformation projects and treasury technology implementations.Strong knowledge of global cash management, working capital, banking structures, and treasury operations.Proven ability to influence senior leadership and lead complex cross-functional projects.Strong analytical, financial modeling, communication, and presentation skills.Preferred QualificationsExperience with Treasury Management Systems (TMS) and treasury workstation implementations.Experience leading cash pooling, trapped cash reduction, or global bank rationalization initiatives.Experience in multinational organizations with complex treasury structures.Experience supporting M&A transactions, integrations, and treasury transformation programs.Familiarity with Oracle, Hubble, Planful, Spotlight, or similar finance and treasury platforms.Treasury Strategy & Liquidity ManagementDevelop and execute treasury strategies that support liquidity, capital structure, and cash management objectives.Lead Global cash flow forecasting processes (13 week and full year) and drive enhancements to forecasting accuracy and visibility.Identify and implement opportunities to improve working capital performance and cash utilization.Monitor liquidity trends and provide strategic recommendations to Finance leadership.Financial Risk ManagementLead the development of foreign exchange hedging strategies and governance frameworks.Evaluate and recommend interest rate risk mitigation strategies.Develop treasury policies and procedures related to risk management activities and partner with internal audit on compliance with policies.Provide market insights and recommendations regarding treasury risks and opportunities.Treasury Transformation & OptimizationLead treasury transformation initiatives focused on process efficiency, automation, standardization, and scalability.Direct treasury workstation evaluation, selection, implementation, and optimization efforts.Establish best practices and governance frameworks across treasury activities.Drive continuous improvement initiatives that strengthen treasury operations and controls.Global Banking & Cash ManagementLead bank account rationalization and banking structure optimization initiatives.Evaluate and implement cash pooling and liquidity concentration opportunities.Conduct trapped cash assessments and develop strategies to improve cash accessibility globally.Partner with banking institutions to support Treasury objectives and strategic initiatives i.e. commercial credit card and treasury functionsStrategic Finance InitiativesSupport financing activities, capital structure initiatives, and corporate development projects.Provide treasury leadership for acquisitions, integrations, and major business transformation efforts.Develop executive-level presentations, business cases, financial analyses, and recommendations.Lead cross-functional projects supporting Treasury and broader Finance objectives.Leadership & Stakeholder ManagementPartner effectively with Accounting, FP&A, Tax, AP, AR, Legal, Procurement, IT, and Operations leaders.Lead and influence cross-functional teams to deliver strategic treasury initiatives.Serve as a trusted advisor to executive leadership on treasury and liquidity matters.#LI-CB1Posting Date: 2026-09-21
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